[Quantitative Strategy Simulation Portfolio Rebalancing Record] 2026-05-13

This record is automatically generated based on the Adaptive Rotation quantitative strategy and does not constitute investment advice. Past performance is not indicative of future results.

Strategy: Adaptive Rotation

Running Period: 2026-05-06 ~ 2026-05-13

1. Account Overview

MetricValue
Initial Net Liquidation Value$197,118.68
Current Net Liquidation Value$196,907.90
Cumulative Return-0.11%
Maximum Drawdown Since Inception 
Sharpe Ratio (Annualized)0.00

2. Market Status

Current Market Status: ** Risk-On **

  • Risk Budget: 100%
  • Cash Floor: 0%

3. Pre-Rebalance Positions

SecurityPosition AmountWeight
$EchoStar Corporation (SATS.US)$57,574.1029.2%
$Oracle Corporation (ORCL.US)$80,710.5641.0%
$Live Nation Entertainment, Inc. (LYV.US)$55,333.7828.1%
Cash$3,289.461.7%
Total$196,907.90100.0%

4. Today's Rebalance

SecurityActionQuantityAmountNote
$Oracle Corporation (ORCL.US)Sell432$0.00Reduce group_a_growth_tech
$EchoStar Corporation (SATS.US)Sell10$0.00Reduce group_a_growth_tech
$Texas Instruments Incorporated (TXN.US)Buy10$0.00Increase group_a_growth_tech

5. Post-Rebalance Target Positions

SecurityTarget AmountTarget Weight
$Texas Instruments Incorporated (TXN.US)$84,389.1042.9%
$Live Nation Entertainment, Inc. (LYV $Live Nation(LYV.US)  .US)$56,259.4028.6%
$EchoStar Corporation ($Echostar(SATS.US) .US)$56,259.4028.6%
Cash$0.000.0%
Total$196,907.90100.0%

6. Rebalance Rationale

Exceptionally Strong Signal: TXN (group_a_growth_tech) selected as an exception asset, given priority allocation and weighting. Inter-group Rotation: New group selected: group_a_growth_tech$Texas Instruments(TXN.US) 

7. Alternative Positions (Watchlist)

group_a_growth_tech: [SATS, LYV, ON, KFY, MCHP, ORCL, TXN] group_b_cyclical: [WFRD, SIG, KMX, DYN, IVZ, GM, HRB] group_c_real_assets: [CTRA, RIG, LYB, TPL, FTI, KMI, OVV] group_d_defensive: [HCA, CLX, XEL, DTE, AWK, SOLV, MKC]

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